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Vacancy search results

Electronic Trading Tester

  • Location: Essex
  • Category: Underwriting
  • Salary: 25K - 30K / Annum
  • Reference: JO0000007956

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Commercial Underwriter

  • Location: Glasgow
  • Category: Underwriting
  • Salary: 35K - 55K / Annum
  • Reference: JO0000008044

Commercial Underwriter – Glasgow / WFH Role Summary – Seeking an experience Underwriter to join the busy Glasgow Trading Hub. As a Property & Packages Underwriter you will underwrite business in accordance with the business plan and within delegated underwriting authority. - Salary based on experience but from 35,000 - 55,000 + Benefits - Flex ways of working – 2/3 days in the central Glasgow office per week Ref - 8044

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Electronic Trading Tester

  • Location: Essex
  • Category: Underwriting
  • Salary: 25K - 30K / Annum
  • Reference: JO0000007956

.

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Senior Underwriting assistant

  • Location: City of London
  • Category: Underwriting
  • Salary: 40K - 45K / Annum
  • Reference: JO0000007733

SENIOR UNDERWRITING ASSISTANT c40,000 Reporting to the Assistant Manager – Operations - The Underwriting Assistant shall be responsible for but not limited to analysing and processing all aspects of underwriting/reinsurance contracts and claims information in our risk and accounting systems for all books of business written on the London platform. Knowledge of reinsurance quota share and excess of loss would be an advantage. Working closely with the Underwriting, Finance and Operations team • Manage all incoming submissions according to specific procedures for new and / or renewals policies, ensuring information is available to underwriters in a timely manner and accurately reflects the terms of the deals. •Provide UW support at the Lloyds box. • Process initial premium, premium bordereaux, premium adjustments and future endorsements updating account information in both the risk and operations systems. • Export contract details from REMS:SICS using the REMS:SICS export tool and ensure that reference data in SICS is correct and reflects the final contractual terms. •Review, analyse and process e messages in the SICS system. • Liaise with Brokers, Underwriters, and Analysts to ensure that technical account information is current, accurate and complete. ••Complete pre bind quality assurance (PBQA) and other contract wording reviews.

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